Sökt på: Böcker av Satchell Stephen
totalt 25 träffar
The Economist Guide To Investment Strategy 4th Edition
The classic guide for the individual investor, The Economist Guide to Investment Strategy sets out the basic - and the not-so-basic - principles for putting your wealth to work. …
Economist Guide To Investment Strategy 4th Edition
The classic guide for the individual investor, The Economist Guide to Investment Strategy sets out the basic - and the not-so-basic - principles for putting your wealth to work. …
Advanced Trading Rules
Advanced Trading Rules is the essential guide to state of the art techniques currently used by the very best financial traders, analysts and fund managers. The editors have brought …
Asymmetric Dependence in Finance
Avoid downturn vulnerability by managing correlation dependency Asymmetric Dependence in Finance examines the risks and benefits of asset correlation, and provides effective …
How to Invest
A new guide to personal investment for the era of cryptocurrencies and personal trading platforms
Asset Management
This book presents a series of contributions on key issues in the decision-making behind the management of financial assets. It provides insight into topics such as quantitative …
Asymmetric Dependence in Finance
Avoid downturn vulnerability by managing correlation dependency Asymmetric Dependence in Finance examines the risks and benefits of asset correlation, and provides effective …
Derivatives and Hedge Funds
Over the last 20 years hedge funds and derivatives have fluctuated in reputational terms; they have been blamed for the global financial crisis and been praised for the provision …
How to Invest
The first quarter of the new century has seen developments in technology, monetary policy and the management of large companies that have transformed personal savings and …
Forecasting Expected Returns in the Financial Markets
Forecasting returns is as important as forecasting volatility in multiple areas of finance. This topic, essential to practitioners, is also studied by academics. In this new book, …
The Analytics of Risk Model Validation
Risk model validation is an emerging and important area of research, and has arisen because of Basel I and II. These regulatory initiatives require trading institutions and lending …
Return Distributions in Finance
Quantitative methods have revolutionised the area of trading, regulation, risk management, portfolio construction, asset pricing and treasury activities, and governmental activity …